Senior Manager, Financial Planning & Analysis
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Automobile Protection Corporation
Nocatee, FL (In Person)
Full-Time
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Job Description
Senior Manager, Financial Planning & Analysis (FP&A)Position SummaryThe Senior Manager of FP&A is a senior strategic finance leader responsible for enterprise-level financial modeling, liquidity and covenant planning, sales performance oversight, and executive/Board reporting. This role operates at the center of corporate financial decision-making, translating complex financial data into actionable insights that influence capital allocation, growth strategy, and operational execution.
The position directly manages 2-3 FP&A professionals (1 FP&A Analyst II and 1-2 FP&A Analyst III) and partners closely with executive leadership across Sales, Operations, Treasury, and Corporate functions.
This role shares oversight of Corporate FP&A with a peer Senior Manager and reports to the Senior Director of FP&A.Success in this role requires deep technical modeling capability, strong leadership maturity, executive communication skills, and the ability to operate effectively in a high-visibility environment.
Develop and enhance dynamic staffing and capacity planning models that translate revenue forecasts, production assumptions, and operating KPIs into forward-looking headcount, cost, and margin projections.
Lead end-to-end financial evaluation of dealer advance programs, integrating underwriting analytics, return modeling, liquidity impact analysis, credit risk assessment, and post-funding performance monitoring.
Own 3-statement integrated forecast models, including income statement, balance sheet, and cash flow linkages.
Develop EBITDA bridge analyses, contribution margin frameworks, and sensitivity modeling.
Perform capital allocation analyses including ROI, IRR, and NPV evaluations.
Lead long-range planning (LRP) and multi-year forecasting processes.
Model impacts of macroeconomic variables, pricing strategies, and volume fluctuations on profitability and liquidity. 2. Cash Flow & Debt Covenant PlanningOwn enterprise liquidity forecasting, including both rolling 13-week cash flow models and long-term liquidity projections.
Model revolver utilization, debt paydown strategies, and interest rate sensitivity.
Monitor and forecast compliance with all financial covenants.
Prepare covenant compliance reporting packages for lenders.
Support treasury strategy, including working capital optimization and capital structure planning.3. Sales Planning & Performance OversightOversee annual sales budget development and monthly reforecast processes.
Partner with Sales leadership to analyze production volume, pricing, margin, productivity, and revenue mix.
Ensure full integration between sales forecasts and consolidated corporate financial models.
Lead monthly sales performance reporting and variance analysis.
Enhance forecast accuracy through KPI monitoring, trend analysis, and driver-based modeling.4. Capitalization & Equity ModelingMaintain and update capitalization table models.
Model dilution scenarios, equity issuances, and transaction impacts.
Support executive compensation and long-term incentive equity planning.
Coordinate with legal and external advisors on equity-related analyses as required.5. Monthly Financial Reporting & Executive InsightsLead detailed review of the monthly financial package prior to executive distribution.
Oversee consolidated variance analysis (Actual vs Budget vs Prior Year).Ensure consistency and accuracy across financial statements and supporting schedules.
Identify emerging risks and opportunities.
Drive continuous improvement in reporting automation and analytical rigor.6. Board of Directors ReportingLead preparation of quarterly Board financial materials.
Develop clear executive-level financial narratives and supporting commentary.
Prepare schedules supporting EBITDA, liquidity, covenant compliance, and strategic initiatives.
Partner with the CFO and Senior Director of FP&A to refine messaging and highlight key insights.7. M&A and Strategic Transaction SupportBuild acquisition, integration, and synergy financial models.
Support due diligence efforts, including Quality of Earnings review, working capital analysis, and synergy validation.
Evaluate transaction economics and capital structure implications.
Assist with post-acquisition integration tracking and earn-out modeling.8. Team Leadership & DevelopmentDirectly manage and develop 23 FP&A professionals.
Establish clear performance expectations, deliverables, and development plans.
Coach team members on advanced modeling techniques, executive communication, and business partnership.
Build organizational bench strength and succession readiness within FP&A. QualificationsEducationBachelors degree in Finance, Accounting, Economics, or related field.
MBA and/or CPA preferred.
Experience8+ years of progressive FP&A or corporate finance experience.3+ years of direct people management.
Experience in leveraged or private equity-backed environments preferred.
Strong exposure to M&A modeling and transaction support preferred.
Experience operating in high-growth or multi-entity environments is a plus.
Technical ExpertiseAdvanced Excel modeling proficiency (3-statement integration, driver-based forecasting, sensitivity modeling).Deep understanding of financial statements and cash flow mechanics.
Experience with budgeting and forecasting systems (EPM platforms preferred).Debt covenant modeling and capital structure analysis experience.
Strong executive presentation capability (PowerPoint).ERP familiarity (NetSuite, D365, or similar).Business intelligence tools (Power BI or similar) preferred.
Core CompetenciesStrategic thinker with strong financial and commercial acumen.
High standards for model integrity and analytical precision.
Executive presence and strong communication skills.
Ability to manage multiple high-impact workstreams in a fast-paced environment.
Structured, process-oriented, and continuous improvement mindset.
Strong cross-functional collaboration and influence skills.
Success MetricsForecast accuracy and reduction in variance volatility.
Timely, accurate Board and lender reporting.
Sustained covenant compliance and liquidity visibility.
Improved sales forecast precision and operational alignment.
High-quality, decision-enabling M&A modeling and transaction support.
Development and retention of a high-performing FP&A team.
The position directly manages 2-3 FP&A professionals (1 FP&A Analyst II and 1-2 FP&A Analyst III) and partners closely with executive leadership across Sales, Operations, Treasury, and Corporate functions.
This role shares oversight of Corporate FP&A with a peer Senior Manager and reports to the Senior Director of FP&A.Success in this role requires deep technical modeling capability, strong leadership maturity, executive communication skills, and the ability to operate effectively in a high-visibility environment.
Organizational StructureReports To:
Senior Director of FP&ADirect Reports:
1 FP&A AnalystII1-2 FP&A
Analyst IIIPeer:
Senior Manager, FP&A (shared Corporate FP&A oversight)Core Responsibilities1. Advanced Financial Modeling & Strategic AnalyticsDesign, build, and maintain sophisticated multi-scenario financial models (Base / Upside / Downside) supporting budgeting, forecasting, and long-range planning.Develop and enhance dynamic staffing and capacity planning models that translate revenue forecasts, production assumptions, and operating KPIs into forward-looking headcount, cost, and margin projections.
Lead end-to-end financial evaluation of dealer advance programs, integrating underwriting analytics, return modeling, liquidity impact analysis, credit risk assessment, and post-funding performance monitoring.
Own 3-statement integrated forecast models, including income statement, balance sheet, and cash flow linkages.
Develop EBITDA bridge analyses, contribution margin frameworks, and sensitivity modeling.
Perform capital allocation analyses including ROI, IRR, and NPV evaluations.
Lead long-range planning (LRP) and multi-year forecasting processes.
Model impacts of macroeconomic variables, pricing strategies, and volume fluctuations on profitability and liquidity. 2. Cash Flow & Debt Covenant PlanningOwn enterprise liquidity forecasting, including both rolling 13-week cash flow models and long-term liquidity projections.
Model revolver utilization, debt paydown strategies, and interest rate sensitivity.
Monitor and forecast compliance with all financial covenants.
Prepare covenant compliance reporting packages for lenders.
Support treasury strategy, including working capital optimization and capital structure planning.3. Sales Planning & Performance OversightOversee annual sales budget development and monthly reforecast processes.
Partner with Sales leadership to analyze production volume, pricing, margin, productivity, and revenue mix.
Ensure full integration between sales forecasts and consolidated corporate financial models.
Lead monthly sales performance reporting and variance analysis.
Enhance forecast accuracy through KPI monitoring, trend analysis, and driver-based modeling.4. Capitalization & Equity ModelingMaintain and update capitalization table models.
Model dilution scenarios, equity issuances, and transaction impacts.
Support executive compensation and long-term incentive equity planning.
Coordinate with legal and external advisors on equity-related analyses as required.5. Monthly Financial Reporting & Executive InsightsLead detailed review of the monthly financial package prior to executive distribution.
Oversee consolidated variance analysis (Actual vs Budget vs Prior Year).Ensure consistency and accuracy across financial statements and supporting schedules.
Identify emerging risks and opportunities.
Drive continuous improvement in reporting automation and analytical rigor.6. Board of Directors ReportingLead preparation of quarterly Board financial materials.
Develop clear executive-level financial narratives and supporting commentary.
Prepare schedules supporting EBITDA, liquidity, covenant compliance, and strategic initiatives.
Partner with the CFO and Senior Director of FP&A to refine messaging and highlight key insights.7. M&A and Strategic Transaction SupportBuild acquisition, integration, and synergy financial models.
Support due diligence efforts, including Quality of Earnings review, working capital analysis, and synergy validation.
Evaluate transaction economics and capital structure implications.
Assist with post-acquisition integration tracking and earn-out modeling.8. Team Leadership & DevelopmentDirectly manage and develop 23 FP&A professionals.
Establish clear performance expectations, deliverables, and development plans.
Coach team members on advanced modeling techniques, executive communication, and business partnership.
Build organizational bench strength and succession readiness within FP&A. QualificationsEducationBachelors degree in Finance, Accounting, Economics, or related field.
MBA and/or CPA preferred.
Experience8+ years of progressive FP&A or corporate finance experience.3+ years of direct people management.
Experience in leveraged or private equity-backed environments preferred.
Strong exposure to M&A modeling and transaction support preferred.
Experience operating in high-growth or multi-entity environments is a plus.
Technical ExpertiseAdvanced Excel modeling proficiency (3-statement integration, driver-based forecasting, sensitivity modeling).Deep understanding of financial statements and cash flow mechanics.
Experience with budgeting and forecasting systems (EPM platforms preferred).Debt covenant modeling and capital structure analysis experience.
Strong executive presentation capability (PowerPoint).ERP familiarity (NetSuite, D365, or similar).Business intelligence tools (Power BI or similar) preferred.
Core CompetenciesStrategic thinker with strong financial and commercial acumen.
High standards for model integrity and analytical precision.
Executive presence and strong communication skills.
Ability to manage multiple high-impact workstreams in a fast-paced environment.
Structured, process-oriented, and continuous improvement mindset.
Strong cross-functional collaboration and influence skills.
Success MetricsForecast accuracy and reduction in variance volatility.
Timely, accurate Board and lender reporting.
Sustained covenant compliance and liquidity visibility.
Improved sales forecast precision and operational alignment.
High-quality, decision-enabling M&A modeling and transaction support.
Development and retention of a high-performing FP&A team.
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